Posting rules for account key

friends
please i am trying to post into a G/L and got this error message "No posting rules have been defined for the account key in the tax table in table T007B"
please how do i resolve this i am new into FI
thanks in advance

Hi,
T007B is maintained via OBCN transaction.
Regards,
Eli

Similar Messages

  • Posting rules exist for account key

    Hi ,
    I got the message while creating PO AND WHEN I try to enter Tax code and Tax Jurisdiction i am getting the following error message :
    No posting rules exist for account key
    Message no. FF714
    Diagnosis
    No posting rules have been defined for the account key in the tax table in table T007B.
    Procedure
    Change the tax table, enter an account key already defined for the transaction in question or define the posting rules for a new account key in table T007B.
    can any one give me solution to solve this issue !!!
    Thanks & Regards,
    senthil.

    Hi Senthil
    Based on your explanation I can understand that the Configuration settings for Automatic Account Determination is not done perfectly for the Account Ket vs GL Account. Do cneck this process carefully because here we define the posting rule, posting keys for the determined account key and later assign the same to the GL Account.
    regards
    Murali Kanth Natti

  • No posting rules are exist for account key

    Guys...
    I have done the configuration part and created tax codes for sales and purchases. When i am trying to post the invoice in Customer and vendor, the system is throwing an error message as below.
    " No posting rules are exist for account key"
    I have checked in OB40, and the details are correct.
    Tax procedure, condition types and transaction keys are also correct.
    Can someone suggest the solution please?
    Thanks
    nkonni

    Hi
    Check weather you have assigned Taxcodes in  OBCL T.code or in  this Path : Assign Tax Codes for Non-Taxable Transactions for your Company code . if not Assign it.
    this shoud solve your issue..
    Thanks
    Goutam

  • No posting rules exist for account key

    Hi
    When i am creating PO with Excise, it shows the below error:
    No posting rules exist for account key
    Message no. FF714
    Diagnosis
    No posting rules have been defined for the account key in the tax table in table T007B.
    Procedure
    Change the tax table, enter an account key already defined for the transaction in question or define the posting rules for a new account key in table T007B.
    I have checked OB40, OBCN, OBYC, but unable resolve. correct me if i miss anything??
    Regards
    Prasanna

    I have checked OBQ3 & OBCN. And changed the transcation key, but still same exist.
    This is first excise po.
    hope am not missing any thing.
    Regards
    Prasanna

  • No posting rules exist for account key while doing purchae order.

    Hi SAP Expert,
      I have following problem while doing purchae order.
    No posting rules exist for account key
    Message no. FF714
    Diagnosis
    No posting rules have been defined for the account key in the tax table in table T007B.
    Please give me reply.
    Thanks in advance,
    Yogesh.

    check MM pricing procedure for any condition account key is assigned and for that account key, no GL is configured in OBYC, if it is related to tax condition type OB40.
    regs,
    ramesh b

  • No posting rules exist for account key - ME21N

    Hi all!
       I am raising a PO and while assigning the tax code system throws me an error as below,
    ___No posting rules exist for account key___
    No posting rules exist for account key
    Message no. FF714
    Diagnosis
    No posting rules have been defined for the account key in the tax table in table T007B.
    Procedure
    Change the tax table, enter an account key already defined for the transaction in question or define the posting rules for a new account key in table T007B.
    Thanks in advance,
    Raj.

    Hi
    Goto OBYC and then select your transaction key
    Thne enter Chart of account -
    Define maintain Pposting ket and rule
    Regards
    vivek

  • No entry for account key 1002 in HRA transaction key in Account assignment

    Dear sap-gurus,
    the following problem occured. When posting a document (s-modelling), system displayed an error that there is no entry for account key 1002 in HRA transcation key in SPRO Account assignment.
    The document's size is very big, it considers many lime items in it.  May be this happened because of this?
    In F1 for SPRO Account assignment we have:
    In this step, you assign a document split account to an account key. This is a clearing acount (Transaction HRA) in Accounting.
    For various reasons, payroll data that is formatted for posting to accounting must be split into several documents per posting run. In Human Resources (HR), key 1001 is used for the breakdown of documents. A breakdown occurs if:
    There are several company codes
    There are different posting dates
    There are postings to G/L accounts, customer accounts, vendor accounts
    This is specified in the step Create Posting Variants (for example, document breakdown for expenses and payables)
    The document split account that is stored under the key 1001 is also used to clear the balance within a G/L account document for each business area.
    An additional split may be required depending on the size of the document in Financial Accounting. In this case, the clearing account specified under account key 1002 in transaction HRA, is used as the document split account.
    Further notes
    To avoid problems in current operations, it is advisable to set up a document split account even if a document breakdown is not necessary. In this way, you can avoid having to set up the system at short notice if changes are made to the settings or if there is an increased number of postings, or if cross-company code transactions occur.
    We have an entry 1001 and a clearing account for postings between several company codes. What are we supposed to do? How to avoid this error and post the documents to FI? Please, help!
    Best regards,
    Eldar

    Hello,
    How did you resolve this issue? Any inputs anyone.
    John

  • EBS - Electronic Bank Statement Multiple Posting Rule for One External Transaction Type NTRF

    hello SAP Gurus,
    I'm configuring EBS - Electronic Bank Statement. My requirement is for Bank External Transaction Type NTRF <for Incoming Payment> I want to assign 2 posting rules for Posting Area 2 that is Sub-Ledger posting viz. <1> For the payments received from Customer which should clear the Customer Open item since it is bill to bill exactly matching the open line item and <2> For the payments which should not clear the Customer Open item since i know that they are not bill to bill and only partial against the original line item
    Is this possible? if yes then how?
    Currently, SAP allows only one assignment like one external transaction type NTRF => one Posting Rule <either clear the sub-ledger-system picks FB05 or just post on Sub-ledger so that not to clear - system uses FB01 >
    Journal for Posting Area 2:
    Bank Clearing Account Dr
       To Customer Account Cr  <either set this to clear with original invoice / or just post on customer so as to clear/handle it manually later on once paid fully>
    So, what is the solution; how can i differentiate my incoming whether fully payment or partial payment; since bank statement always tag it to external transaction type NTRF always for any incoming payments !
    regards,
    `raj. 

    Hi,
    You cannot create separate rule with sub ledger postings while executing electronic bank reconciliation.The reason is your bill to bill transfers should posted to bank sub ledger account first and then you can write a BDC to clear sub ledger account.Otherwise use F.13 to clear the sub ledger account.
    Regards
    Chrishantha

  • Posting Rule for EBS

    Hi,
    I have configured Posting Rule for Incoming paymnets and works fine including posting area 2 by clearing Open Item of Customer.
    I tried the exact opposite way for Vendor.
    It creates GL posting ( Posting area 1 ) but error in Posting area 2 . It does not clear.
    I need some clarity  on Posting type ( 4,5,7,8 etc) As when to use ?
    What is the standard Posing rule for Outward paymnent and to clear OI of Vendor?
    Appreciate to get yr response .
    Thanks and Regards,
    Chitra

    You can either post to GL or Sub account by selecting the appropriate indicator in 'Define Posting Rules' step.  You can try giving the reversal Reason for a posting rule after setting the appropriate accounts and try using the Interpretation algorithm 011 Payment document.  Or see if any algorithm found in your system for treating reversal of documents or bounced cheques.
    If this doesnt work, you might have to write your own interpretation algorithm and attach it in the 'Assign External Transaction to Posting Rules' step.  You can also try raising an OSS message to find out if any standard interpretation algorithms exist already for bounced cheques.
    Ravi.

  • EBS Posting rule for Bounced checks

    Hi experts,
    I need to configure posting rule for returned/bounced cheque(AP and AR) for EBS.
    Can any one please provide me the steps for the entries to be posted in bank accounts and subledger.
    Thanks,
    Sapuser

    You can either post to GL or Sub account by selecting the appropriate indicator in 'Define Posting Rules' step.  You can try giving the reversal Reason for a posting rule after setting the appropriate accounts and try using the Interpretation algorithm 011 Payment document.  Or see if any algorithm found in your system for treating reversal of documents or bounced cheques.
    If this doesnt work, you might have to write your own interpretation algorithm and attach it in the 'Assign External Transaction to Posting Rules' step.  You can also try raising an OSS message to find out if any standard interpretation algorithms exist already for bounced cheques.
    Ravi.

  • GL assignment for Account key in Pricing

    Experts,
    Where we will assign the GL account for Account key maintained against condition type in Pricing Procedure.

    Hello,
    There is not any direct assigment of GL account and condition type.
    When we define or maintain the procediue we assign the account key to condition type.And GL account is assign to accout key for eg ERL.In T COde VKOA.
    Hope this will help you.
    Regards
    Ravi

  • Posting rule for assembly order for item 000000 could not be generated

    Hi all,
        While creating production order from sales order system giving an error message 'Posting rule for assembly order for item 000000 could not be generated.'
        Kindly help to resolve the issue.
    SmanS

    Dear SAP PP Consultant ,
    What is the strategy group you are maintained in the material master ?

  • Add update rule for new key figure in one info struc

    Hi, everyone
    I would like to know how to add update rule for new key figure in one info struc.
    Thanks ahead.
    Eric

    1)I have created the update rule for one info structure
    2)add one key figure in the info structure due to business requirement
    3)then I use MC25 to add update rule for the new key figure, but I find that there no relevant menu to do such operation.
    Can anybody tell me how to do with it?
    Any answer will be appriciated.

  • Electron bank posting rule and account

    I have one posting rule as follows:
    Z003 posting area:1 40 acc(debit) ZINCOMING  50 ZBANK  posting type 01, on account posting key:04 (other receivable)
    posting area:2   50 ZINCOMING  posting type 7
    my question is what does on account posting key:04 do?
    I define account +++++ for Zbank and +++++2 for ZINCOMING, so how other receivable is posted, to which account? thanks

    My second posting rule  Z005 says
    Z005 posting area:1, no posting key, acct(debit): Zoutgoing  posting key: 50 acct(credit) ZBANK
    posting type:4 (clear debit GL account)
    so during bank statement upload FF.5, what's the posting?
    Dr: out going bank account Cr: bank account
    Dr: XYZ  Cr: out going bank account?
    in first posting, is posting key 40 for debit side?

  • Account determination error for Account key

    Hi Everyone,
    I have maintain one condition manual pricing e.g ZMRG where i m manually putting the margin of sales price
    this condition is only for calculation and i dont want to post it to account. But at the time of bill it is giving me account determination error. In VF02 i check it is showing error due to not assigning the account key for that condition but here i dont want to post that condition to accounts.
    Please suggest me the best possible way.
    Regards
    Shambhu

    Hi,
    You said that the condition is manual.
    Now you saying:
    i maintained the condition for it instead of only text in PP
    Have you got the solution? Then please update.
    Thanks,
    Ravi

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